FFEFX
Nuveen Dividend Value Fund
Nuveen Investment Funds, Inc.

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Oct 31, 2025 → Jan 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
BLACKROCK INC 0 61,140 61,140 2.09% $68.41M
INTEL CORP 0 1,020,880 1,020,880 1.45% $47.44M
UNION PACIFIC CORP 0 196,037 196,037 1.41% $46.09M
CARRIER GLOBAL CORP 0 683,253 683,253 1.24% $40.71M
HORMEL FOODS CRP 0 1,421,098 1,421,098 1.07% $34.97M
KINDER MORGAN INC 0 775,405 775,405 0.72% $23.64M
ONEOK INC 0 286,012 286,012 0.69% $22.65M
WYNDHAM HOTELS and RESORTS INC 0 270,443 270,443 0.60% $19.69M
State Street Navigator Securities Lending Government Money Market Portfolio 0 0 0 0.00% $0
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
AT&T INC 2,497,992 0 -2,497,992 0.00% -$61.83M
SHELL PLC SPONS ADR 685,380 0 -685,380 0.00% -$51.35M
UNITEDHEALTH GRP 115,280 0 -115,280 0.00% -$39.38M
INTUIT INC 50,905 0 -50,905 0.00% -$33.98M
HERSHEY CO/THE 184,506 0 -184,506 0.00% -$31.30M
ROPER TECHNOLOGIES INC 59,240 0 -59,240 0.00% -$26.43M
META PLATFORMS INC CL A 39,284 0 -39,284 0.00% -$25.47M
FIRSTENERGY CORP 539,461 0 -539,461 0.00% -$24.72M
VERTIV HOLDINGS CO 114,106 0 -114,106 0.00% -$22.01M
CMS ENERGY CORP 252,176 0 -252,176 0.00% -$18.55M
AMERICAN ELECTRIC POWER CO INC 134,586 0 -134,586 0.00% -$16.19M
SMURFIT WESTROCK 312,750 0 -312,750 0.00% -$11.55M
SIMON PROPERTY 63,623 0 -63,623 0.00% -$11.18M
SOLSTICE ADV MAT 71,957 0 -71,957 0.00% -$3.24M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
Fixed Income Clearing Corporation 4,638,693 92,606,779 87,968,085 2.83% $87.97M
THE CIGNA GROUP 193,653 262,866 69,213 2.20% $24.72M
HONEYWELL INTL INC 287,830 307,696 19,866 2.14% $12.06M
ABBOTT LABS 457,587 639,987 182,400 2.13% $13.38M
REGENERON PHARMACEUTICALS INC 65,951 83,243 17,292 1.88% $18.73M
WASTE MANAGEMENT INC 180,057 222,920 42,863 1.51% $13.57M
INTERCONTINENTAL EXCHANGE INC 196,648 275,398 78,750 1.46% $19.09M
FIDELITY NATL INFORM SVCS INC 676,141 781,229 105,088 1.32% $890.57K
DUPONT DE NEMOURS INC 765,654 937,365 171,711 1.26% -$21.35M
SABRA HEALTHCARE REIT INC 1,022,269 1,236,250 213,981 0.71% $4.94M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ALPHABET INC CL C 575,369 501,433 -73,936 5.18% $7.60M
AMAZON.COM INC 416,859 406,961 -9,898 2.97% -$4.42M
PHILIP MORRIS INTL INC 486,634 475,082 -11,552 2.60% $15.01M
CITIGROUP INC 734,470 717,032 -17,438 2.53% $8.62M
NEXTERA ENERGY INC 870,795 850,123 -20,672 2.28% $3.84M
CONOCOPHILLIPS 660,173 644,499 -15,674 2.05% $8.51M
PARKER HANNIFIN CORP 70,107 68,445 -1,662 1.95% $9.87M
CAPITAL ONE FINANCIAL CORP 291,872 284,942 -6,930 1.90% -$1.83M
DANAHER CORP 290,071 283,184 -6,887 1.89% -$489.35K
WELLS FARGO & CO 695,327 678,820 -16,507 1.87% $953.83K
PROLOGIS INC REIT 476,241 464,934 -11,307 1.85% $1.61M
DUKE ENERGY CORP NEW 487,802 476,221 -11,581 1.76% -$2.84M
MICROSOFT CORP 132,065 128,932 -3,133 1.69% -$12.91M
LAM RESEARCH CORP 393,620 226,122 -167,498 1.61% -$9.19M
WESTINGHOUSE AIR BRAKE TECH CORP 231,031 225,545 -5,486 1.58% $4.67M
EMERSON ELECTRIC CO 349,196 340,905 -8,291 1.53% $1.36M
VENTAS INC REIT 645,158 629,841 -15,317 1.49% $1.31M
CVS HEALTH CORP 654,656 639,113 -15,543 1.45% -$3.53M
FIDELITY NATIONAL FINL INC 868,153 847,543 -20,610 1.41% -$1.86M
ALLIANT ENERGY CORPORATION 716,283 699,279 -17,004 1.41% -$1.77M
BROADCOM INC 131,695 128,572 -3,123 1.30% -$6.08M
BANK OF AMERICA CORPORATION 815,161 795,808 -19,353 1.29% -$1.23M
EXPEDIA INC 163,459 159,578 -3,881 1.29% $6.30M
VICI PROPERTIES 1,537,170 1,500,678 -36,492 1.29% -$3.96M
TD SYNNEX CORP 325,479 265,437 -60,042 1.29% -$8.82M
FIFTH THIRD BANCORP 839,436 819,508 -19,928 1.26% $6.22M
DOVER CORP 209,062 204,098 -4,964 1.26% $3.19M
ELEVANCE HEALTH INC 121,539 118,656 -2,883 1.25% $2.47M
SYNCHRONY FINANCIAL 576,882 563,186 -13,696 1.25% -$2.00M
REGAL REXNORD CORP 253,227 247,214 -6,013 1.22% $4.25M
PERMIAN RESOURCES CORP CL A 2,523,036 2,463,143 -59,893 1.21% $8.04M
KKR & CO INC 349,899 341,592 -8,307 1.19% -$2.37M
GEN DIGITAL INC 1,643,643 1,604,624 -39,019 1.17% -$4.83M
MASTERCARD INC CL A 71,188 69,501 -1,687 1.14% -$1.85M
EATON CORP PLC 133,843 105,173 -28,670 1.13% -$14.11M
TAIWAN SEMIC MFG CO LTD SP ADR 137,048 108,599 -28,449 1.10% -$5.27M
WYNN RESORTS LTD 331,440 323,571 -7,869 1.06% -$4.67M
SOUTHERN CO 395,002 385,624 -9,378 1.05% -$2.71M
JOHNSON CONTROLS 295,197 288,187 -7,010 1.05% $601.60K
CROWN CASTLE INC 384,466 375,337 -9,129 0.99% -$2.10M
TENET HEALTHCARE CORP 175,146 170,986 -4,160 0.99% -$3.80M
APPLIED MATERIALS INC 96,851 94,551 -2,300 0.93% $7.90M
EASTGROUP PROP 170,776 166,720 -4,056 0.92% $477.49K
ITT INC 165,934 161,993 -3,941 0.90% -$1.18M
ELANCO ANIMAL HEALTH INC 1,625,339 1,174,981 -450,358 0.86% -$7.71M
ONEMAIN HOLDINGS INC 440,193 429,742 -10,451 0.86% $2.11M
TRAVEL+LEISURE CO 408,444 398,746 -9,698 0.85% $2.09M
ZIMMER BIOMET HO 319,729 312,137 -7,592 0.83% -$4.97M
EXTRA SPACE STORAGE INC 169,815 165,783 -4,032 0.70% $195.99K
NVENT ELECTRIC 191,975 187,416 -4,559 0.64% -$913.02K

No positions in this category.

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